TIET3 (AES Tietê Energia)
    
    
        Razão social
        AES Tietê Energia S.A.
    
    
        CNPJ
        04.128.563/0001-10
    
    
    
        Classificação setorial B3
        Utilidade Pública / Energia Elétrica / Energia Elétrica
    
    
        Código ISIN
        BRTIETACNOR0
    
    
 
    R$ 3,49
    +0,87%
    em 26 Mar, 2021
Indicadores
    
        
            
                | Conta | 3T2021 (TTM) | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 
        
        
            
            
                | P/L | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | P/VP | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | P/EBIT | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | PSR | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | P/Ativos | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | LPA | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | VPA | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | EBIT por ação | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | Ativo por ação | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | Receita líquida por ação | - | - | - | - | - | - | - | - | - | - | - | - | - | 
            
            
                | Margem bruta | 70,03% | 94,37% | 42,74% | 38,01% | 36,55% | 41,27% | 46,45% | 23,29% | 18,73% | 14,58% | 29,31% | 28,99% | 26,35% | 
            
            
                | Margem líquida | 49,91% | 42,17% | 15,02% | 14,97% | 17,26% | 22,96% | 30,59% | 6,55% | 11,28% | 7,76% | 26,90% | 18,22% | 18,66% | 
            
            
                | Margem EBIT | 61,76% | 86,92% | 36,33% | 38,01% | 36,49% | 41,27% | 44,31% | 21,41% | 17,23% | 13,15% | 27,82% | 27,45% | 24,66% | 
            
            
                | Margem EBITDA | 102,64% | 103,11% | 52,00% | 52,57% | 48,52% | 51,41% | 50,77% | 26,64% | 23,85% | 19,47% | 35,10% | 34,82% | 32,52% | 
            
            
                | Margem operacional | 39,24% | 60,59% | 18,41% | 21,63% | 24,70% | 32,57% | 40,21% | 19,57% | 17,02% | 12,21% | 26,11% | 27,00% | 27,15% | 
            
            
                | ROE | 37,90% | 46,03% | 20,68% | 18,90% | 19,15% | 22,72% | 39,80% | 3,55% | 16,27% | 14,32% | 33,10% | 24,04% | 22,16% | 
            
            
                | ROA | 0,11 | 0,08 | 0,04 | 0,04 | 0,04 | 0,09 | 0,17 | 0,01 | 0,06 | 0,05 | 0,16 | 0,10 | 0,09 | 
            
            
                | Giro do ativo | 0,21 | 0,20 | 0,26 | 0,25 | 0,25 | 0,38 | 0,57 | 0,18 | 0,57 | 0,59 | 0,58 | 0,56 | 0,49 | 
            
            
                | EBITDA | 2.373 mi | 2.073 mi | 1.039 mi | 1.011 mi | 838 mi | 802 mi | 1.333 mi | 853 mi | 2.248 mi | 1.966 mi | 3.480 mi | 3.415 mi | 2.975 mi | 
            
            
                | Liquidez corrente | 1,00 | 0,94 | 0,95 | 1,11 | 0,79 | 0,94 | 1,29 | 0,97 | 1,20 | 1,13 | 1,22 | 1,41 | 1,22 | 
            
            
                | Liquidez seca | 1,00 | 0,94 | 0,95 | 1,11 | 0,79 | 0,94 | 1,29 | 0,96 | 1,19 | 1,11 | 1,20 | 1,39 | 1,20 | 
            
            
                | Liquidez imediata | 0,03 | 0,20 | 0,02 | 0,11 | 0,07 | 0,09 | 0,00 | 0,05 | 0,09 | 0,06 | 0,06 | 0,10 | 0,09 | 
            
            
                | Dívida bruta | 5.932 mi | 5.258 mi | 4.254 mi | 4.127 mi | 3.589 mi | 1.446 mi | 1.391 mi | 4.695 mi | 3.865 mi | 3.718 mi | 3.420 mi | 4.470 mi | 4.266 mi | 
            
            
                | Dívida líquida | 5.202 mi | 3.232 mi | 2.892 mi | 3.093 mi | 2.385 mi | 868 mi | 644 mi | 2.871 mi | 2.225 mi | 2.275 mi | 1.174 mi | 1.996 mi | 1.847 mi | 
            
            
                | Capital de giro | 4 mi | -162 mi | -99 mi | 154 mi | -418 mi | -52 mi | 269 mi | -125 mi | 585 mi | 411 mi | 724 mi | 1.220 mi | 764 mi | 
            
            
                | Endividamento geral | 258,62% | 443,81% | 437,42% | 399,03% | 337,69% | 159,78% | 129,72% | 199,41% | 153,48% | 215,06% | 113,47% | 135,38% | 140,38% | 
            
        
    
    
 
Releases de resultados
    
        
            
                | Data de referência | Demonstração financeira | Release de resultados | 
        
        
            
            
                | 30 Set, 2021 | Exibir | - | 
            
            
                | 30 Jun, 2021 | Exibir | - | 
            
            
                | 31 Mar, 2021 | Exibir | - | 
            
            
                | 31 Dez, 2020 | Exibir | Download | 
            
            
                | 30 Set, 2020 | Exibir | Download | 
            
            
                | 30 Jun, 2020 | Exibir | Download | 
            
            
                | 31 Mar, 2020 | Exibir | Download | 
            
            
                | 31 Dez, 2019 | Exibir | Download | 
            
            
                | 30 Set, 2019 | Exibir | Download | 
            
            
                | 30 Jun, 2019 | Exibir | Download | 
            
            
                | 31 Mar, 2019 | Exibir | Download | 
            
            
                | 31 Dez, 2018 | Exibir | Download | 
            
            
                | 30 Set, 2018 | Exibir | Download | 
            
            
                | 30 Jun, 2018 | Exibir | Download | 
            
            
                | 31 Mar, 2018 | Exibir | Download | 
            
            
                | 31 Dez, 2017 | Exibir | Download | 
            
            
                | 30 Set, 2017 | Exibir | Download | 
            
            
                | 30 Jun, 2017 | Exibir | Download | 
            
            
                | 31 Mar, 2017 | Exibir | Download | 
            
            
                | 31 Dez, 2016 | Exibir | Download | 
            
            
                | 30 Set, 2016 | Exibir | Download | 
            
            
                | 30 Jun, 2016 | Exibir | Download | 
            
            
                | 31 Mar, 2016 | Exibir | Download | 
            
            
                | 31 Dez, 2015 | Exibir | - | 
            
            
                | 30 Set, 2015 | Exibir | - | 
            
            
                | 30 Jun, 2015 | Exibir | - | 
            
            
                | 31 Mar, 2015 | Exibir | - | 
            
            
                | 31 Dez, 2014 | Exibir | - | 
            
            
                | 30 Set, 2014 | Exibir | - | 
            
            
                | 30 Jun, 2014 | Exibir | - | 
            
            
                | 31 Mar, 2014 | Exibir | - | 
            
            
                | 31 Dez, 2013 | Exibir | - | 
            
            
                | 30 Set, 2013 | Exibir | - | 
            
            
                | 30 Jun, 2013 | Exibir | - | 
            
            
                | 31 Mar, 2013 | Exibir | - | 
            
            
                | 31 Dez, 2012 | Exibir | - | 
            
            
                | 30 Set, 2012 | Exibir | - | 
            
            
                | 30 Jun, 2012 | Exibir | - | 
            
            
                | 31 Mar, 2012 | Exibir | - | 
            
            
                | 31 Dez, 2011 | Exibir | - | 
            
            
                | 30 Set, 2011 | Exibir | - | 
            
            
                | 30 Jun, 2011 | Exibir | - | 
            
            
                | 31 Mar, 2011 | Exibir | - | 
            
            
                | 31 Dez, 2010 | Exibir | - | 
            
        
    
    
 
Balanços
    
        
            
                | Conta | 3T2021 | 2T2021 | 1T2021 | 4T2020 | 3T2020 | 2T2020 | 1T2020 | 4T2019 | 3T2019 | 2T2019 | 1T2019 | 4T2018 | 3T2018 | 2T2018 | 1T2018 | 4T2017 | 3T2017 | 2T2017 | 1T2017 | 4T2016 | 3T2016 | 2T2016 | 1T2016 | 4T2015 | 3T2015 | 2T2015 | 1T2015 | 4T2014 | 3T2014 | 2T2014 | 1T2014 | 4T2013 | 3T2013 | 2T2013 | 1T2013 | 4T2012 | 3T2012 | 2T2012 | 1T2012 | 4T2011 | 3T2011 | 2T2011 | 1T2011 | 4T2010 | 4T2009 | 
        
        
            
            
                | Ativo total | 10,92 B | 10,25 B | 9,61 B | 10,02 B | 8,34 B | 8,48 B | 8,08 B | 7,80 B | 7,86 B | 7,91 B | 7,81 B | 7,60 B | 7,77 B | 7,71 B | 7,33 B | 6,82 B | 6,64 B | 5,15 B | 4,25 B | 4,10 B | 4,12 B | 4,03 B | 4,45 B | 4,64 B | 19,50 B | 18,52 B | 18,83 B | 17,67 B | 17,28 B | 16,54 B | 17,64 B | 16,57 B | 16,93 B | 17,09 B | 17,81 B | 17,24 B | 16,65 B | 16,61 B | 17,75 B | 17,20 B | 18,00 B | 17,77 B | 18,49 B | 17,50 B | 18,52 B | 
            
            
                | Ativo circulante | 1,21 B | 1,46 B | 2,17 B | 2,43 B | 2,42 B | 2,49 B | 1,88 B | 1,81 B | 1,82 B | 1,86 B | 1,70 B | 1,60 B | 1,82 B | 2,42 B | 2,12 B | 1,58 B | 1,41 B | 1,87 B | 952,49 M | 776,48 M | 742,82 M | 617,51 M | 1,02 B | 1,19 B | 5,84 B | 5,20 B | 5,66 B | 4,42 B | 4,02 B | 3,13 B | 4,41 B | 3,45 B | 3,81 B | 4,04 B | 4,32 B | 3,68 B | 3,85 B | 3,74 B | 4,79 B | 4,07 B | 4,35 B | 3,84 B | 4,52 B | 4,22 B | 4,31 B | 
            
            
                | Caixa e eq. de caixa | 32,03 M | 104,40 M | 790,99 M | 504,87 M | 32,53 M | 13,50 M | 26,39 M | 31,84 M | 156,41 M | 123,72 M | 10,49 M | 152,82 M | 54,83 M | 22,81 M | 19,06 M | 134,59 M | 237,68 M | 200,47 M | 80,19 M | 72,09 M | 7,29 M | 662,00 Mil | 545,00 Mil | 558,00 Mil | 154,92 M | 156,75 M | 255,45 M | 217,63 M | 136,43 M | 286,46 M | 309,03 M | 272,00 M | 109,54 M | 491,77 M | 454,59 M | 210,95 M | 54,81 M | 83,23 M | 59,78 M | 207,91 M | 239,91 M | 367,25 M | 404,53 M | 303,51 M | 304,95 M | 
            
            
                | Aplicações financeiras | 698,11 M | 946,69 M | 841,68 M | 1,52 B | 1,94 B | 2,04 B | 1,37 B | 1,33 B | 1,13 B | 1,27 B | 1,15 B | 881,15 M | 1,22 B | 2,03 B | 1,72 B | 1,07 B | 792,32 M | 1,38 B | 651,86 M | 505,53 M | 458,95 M | 346,19 M | 733,68 M | 746,21 M | 1,50 B | 1,25 B | 1,57 B | 1,61 B | 1,43 B | 806,07 M | 1,18 B | 1,37 B | 1,80 B | 1,18 B | 1,36 B | 1,23 B | 1,48 B | 1,49 B | 2,71 B | 2,04 B | 1,39 B | 1,36 B | 2,08 B | 2,17 B | 2,11 B | 
            
            
                | Contas a receber | 282,48 M | 242,17 M | 280,21 M | 286,57 M | 318,60 M | 338,72 M | 359,64 M | 342,51 M | 298,10 M | 306,46 M | 408,24 M | 438,82 M | 404,52 M | 246,23 M | 297,73 M | 313,00 M | 289,94 M | 231,47 M | 184,77 M | 151,82 M | 150,83 M | 154,15 M | 164,44 M | 299,51 M | 2,67 B | 2,38 B | 2,47 B | 1,87 B | 1,82 B | 1,50 B | 1,67 B | 1,34 B | 1,36 B | 1,27 B | 1,52 B | 1,57 B | 1,57 B | 1,53 B | 1,53 B | 1,48 B | 1,47 B | 1,47 B | 1,48 B | 1,38 B | 1,36 B | 
            
            
                | Estoques | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 60,73 M | 62,22 M | 59,85 M | 62,78 M | 71,21 M | 71,32 M | 54,59 M | 54,82 M | 62,07 M | 64,77 M | 67,31 M | 63,94 M | 64,84 M | 62,85 M | 58,56 M | 52,55 M | 55,10 M | 57,47 M | 59,37 M | 58,57 M | 58,86 M | 
            
            
                | Ativos biológicos | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 
            
            
                | Ativo não circulante | 9,70 B | 8,79 B | 7,45 B | 7,59 B | 5,92 B | 5,99 B | 6,20 B | 5,99 B | 6,05 B | 6,06 B | 6,11 B | 6,01 B | 5,95 B | 5,29 B | 5,21 B | 5,24 B | 5,22 B | 3,28 B | 3,30 B | 3,32 B | 3,38 B | 3,42 B | 3,44 B | 3,45 B | 13,67 B | 13,32 B | 13,17 B | 13,25 B | 13,26 B | 13,41 B | 13,23 B | 13,12 B | 13,12 B | 13,06 B | 13,49 B | 13,56 B | 12,80 B | 12,87 B | 12,97 B | 13,14 B | 13,65 B | 13,93 B | 13,98 B | 13,28 B | 14,22 B | 
            
            
                | Investimentos | 87,64 M | 74,64 M | 60,73 M | 52,35 M | 45,22 M | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 12,25 M | 12,25 M | 12,25 M | 8,77 M | 8,77 M | 8,77 M | 8,77 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 9,50 M | 
            
            
                | Imobilizado | 7,06 B | 6,90 B | 6,00 B | 6,12 B | 5,40 B | 5,47 B | 5,55 B | 5,54 B | 5,56 B | 5,57 B | 5,59 B | 5,49 B | 5,39 B | 4,78 B | 4,69 B | 4,72 B | 4,62 B | 3,06 B | 3,07 B | 3,09 B | 3,10 B | 3,13 B | 3,14 B | 3,15 B | 3,17 B | 3,14 B | 3,15 B | 3,16 B | 3,17 B | 3,15 B | 3,15 B | 3,15 B | 3,11 B | 3,10 B | 3,11 B | 3,13 B | 3,11 B | 3,13 B | 3,15 B | 3,17 B | 3,15 B | 3,42 B | 3,41 B | 3,41 B | 3,51 B | 
            
            
                | Intangível | 1,72 B | 1,54 B | 1,25 B | 1,24 B | 274,14 M | 305,58 M | 308,38 M | 218,55 M | 216,32 M | 211,08 M | 214,08 M | 216,95 M | 215,50 M | 130,54 M | 132,62 M | 144,23 M | 234,90 M | 45,92 M | 53,83 M | 55,85 M | 57,42 M | 59,62 M | 73,31 M | 75,27 M | 6,57 B | 6,69 B | 6,67 B | 6,66 B | 7,02 B | 7,23 B | 7,41 B | 7,48 B | 7,51 B | 7,51 B | 7,54 B | 7,63 B | 7,69 B | 7,64 B | 7,67 B | 7,88 B | 7,90 B | 7,92 B | 7,99 B | 8,02 B | 8,16 B | 
            
            
                | Passivo total | 10,92 B | 10,25 B | 9,61 B | 10,02 B | 8,34 B | 8,48 B | 8,08 B | 7,80 B | 7,86 B | 7,91 B | 7,81 B | 7,60 B | 7,77 B | 7,71 B | 7,33 B | 6,82 B | 6,64 B | 5,15 B | 4,25 B | 4,10 B | 4,12 B | 4,03 B | 4,45 B | 4,64 B | 19,50 B | 18,52 B | 18,83 B | 17,67 B | 17,28 B | 16,54 B | 17,64 B | 16,57 B | 16,93 B | 17,09 B | 17,81 B | 17,24 B | 16,65 B | 16,61 B | 17,75 B | 17,20 B | 18,00 B | 17,77 B | 18,49 B | 17,50 B | 18,52 B | 
            
            
                | Passivo circulante | 1,21 B | 1,08 B | 1,62 B | 2,59 B | 2,63 B | 2,58 B | 2,02 B | 1,90 B | 1,56 B | 1,65 B | 2,02 B | 1,44 B | 1,65 B | 1,46 B | 1,21 B | 2,00 B | 1,84 B | 1,50 B | 932,44 M | 827,95 M | 879,81 M | 785,27 M | 647,94 M | 915,93 M | 5,46 B | 4,87 B | 5,31 B | 4,55 B | 4,27 B | 3,15 B | 3,49 B | 2,87 B | 2,83 B | 2,82 B | 3,69 B | 3,27 B | 3,37 B | 3,00 B | 3,16 B | 3,34 B | 3,44 B | 2,85 B | 2,84 B | 3,00 B | 3,54 B | 
            
            
                | Fornecedores | 272,61 M | 196,03 M | 121,92 M | 1,47 B | 1,37 B | 1,28 B | 1,25 B | 1,23 B | 1,22 B | 1,22 B | 1,21 B | 1,11 B | 1,15 B | 1,02 B | 955,19 M | 843,11 M | 609,34 M | 439,70 M | 405,32 M | 411,78 M | 368,25 M | 340,70 M | 332,06 M | 352,08 M | 1,95 B | 1,79 B | 1,80 B | 1,75 B | 1,65 B | 1,32 B | 1,73 B | 1,04 B | 982,24 M | 1,23 B | 1,62 B | 1,43 B | 1,16 B | 1,10 B | 998,14 M | 1,02 B | 967,91 M | 902,70 M | 934,69 M | 1,05 B | 885,53 M | 
            
            
                | Empréstimos e financ. | 530,87 M | 537,11 M | 1,01 B | 636,40 M | 965,88 M | 957,92 M | 442,81 M | 461,80 M | 70,52 M | 78,11 M | 650,04 M | 120,93 M | 139,46 M | 108,89 M | 113,70 M | 1,01 B | 1,04 B | 918,46 M | 376,77 M | 255,78 M | 352,74 M | 326,18 M | 183,46 M | 160,60 M | 1,24 B | 1,12 B | 1,61 B | 1,42 B | 1,18 B | 467,53 M | 535,89 M | 441,34 M | 481,42 M | 395,43 M | 953,80 M | 401,90 M | 727,61 M | 671,57 M | 435,94 M | 365,88 M | 452,81 M | 361,99 M | 439,97 M | 353,81 M | 878,50 M | 
            
            
                | Passivo não circulante | 6,66 B | 6,56 B | 6,12 B | 5,59 B | 4,33 B | 4,34 B | 4,54 B | 4,44 B | 4,78 B | 4,80 B | 4,21 B | 4,64 B | 4,60 B | 4,66 B | 4,50 B | 3,26 B | 3,24 B | 2,03 B | 1,62 B | 1,69 B | 1,58 B | 1,57 B | 1,71 B | 1,70 B | 7,89 B | 7,48 B | 7,38 B | 7,22 B | 7,12 B | 7,13 B | 7,47 B | 7,17 B | 7,79 B | 7,78 B | 8,48 B | 8,50 B | 5,74 B | 6,06 B | 6,31 B | 5,80 B | 7,42 B | 7,73 B | 7,75 B | 7,06 B | 7,28 B | 
            
            
                | Emprést. de longo prazo | 5,40 B | 5,24 B | 5,16 B | 4,62 B | 3,80 B | 3,78 B | 3,82 B | 3,79 B | 4,15 B | 4,14 B | 3,51 B | 4,01 B | 4,00 B | 4,00 B | 3,81 B | 2,58 B | 2,57 B | 1,49 B | 1,10 B | 1,19 B | 1,09 B | 1,08 B | 1,24 B | 1,23 B | 3,81 B | 3,45 B | 3,37 B | 3,28 B | 3,33 B | 3,39 B | 3,72 B | 3,42 B | 3,47 B | 3,46 B | 3,29 B | 3,32 B | 3,09 B | 3,29 B | 3,66 B | 3,05 B | 3,88 B | 4,07 B | 4,12 B | 4,12 B | 3,39 B | 
            
            
                | Patrimônio líquido | 3,04 B | 2,62 B | 1,87 B | 1,84 B | 1,38 B | 1,56 B | 1,53 B | 1,45 B | 1,53 B | 1,47 B | 1,58 B | 1,52 B | 1,52 B | 1,59 B | 1,61 B | 1,56 B | 1,56 B | 1,63 B | 1,71 B | 1,58 B | 1,66 B | 1,68 B | 2,09 B | 2,02 B | 6,16 B | 6,17 B | 6,14 B | 5,90 B | 5,88 B | 6,25 B | 6,68 B | 6,54 B | 6,31 B | 6,49 B | 5,64 B | 5,47 B | 7,54 B | 7,55 B | 8,29 B | 8,06 B | 7,13 B | 7,19 B | 7,90 B | 7,44 B | 7,71 B | 
            
            
                | Aos não controladores | 821,61 M | 820,15 M | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 2,39 B | 2,38 B | 2,35 B | 2,22 B | 2,16 B | 2,30 B | 2,64 B | 2,59 B | 2,44 B | 2,44 B | 1,96 B | 1,87 B | 3,21 B | 3,18 B | 3,57 B | 3,44 B | 3,12 B | 3,06 B | 3,56 B | 3,26 B | 3,27 B | 
            
        
    
    
 
Resultados
    
        
            
                | Conta | 3T2021 (TTM) | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 
        
        
            
            
                | Receita líquida | 2,31 B | 2,01 B | 2,00 B | 1,92 B | 1,73 B | 1,56 B | 2,63 B | 3,21 B | 9,43 B | 10,10 B | 9,92 B | 9,81 B | 9,15 B | 
            
            
                | Custos | -692,99 M | -113,19 M | -1,14 B | -1,19 B | -1,10 B | -916,97 M | -1,41 B | -2,46 B | -7,66 B | -8,63 B | -7,01 B | -6,97 B | -6,74 B | 
            
            
                | Lucro bruto | 1,62 B | 1,90 B | 854,30 M | 731,11 M | 631,60 M | 644,38 M | 1,22 B | 746,44 M | 1,77 B | 1,47 B | 2,91 B | 2,84 B | 2,41 B | 
            
            
                | Despesas operacionais | -191,26 M | -149,85 M | -128,28 M | 0 | -996,00 Mil | 0 | -56,10 M | -60,29 M | -141,49 M | -144,24 M | -147,70 M | -150,99 M | -154,80 M | 
            
            
                | EBIT | 1,43 B | 1,75 B | 726,02 M | 731,11 M | 630,61 M | 644,38 M | 1,16 B | 686,15 M | 1,62 B | 1,33 B | 2,76 B | 2,69 B | 2,26 B | 
            
            
                | Resultado financeiro | -520,58 M | -529,67 M | -358,02 M | -315,09 M | -203,84 M | -135,80 M | -107,59 M | -58,94 M | -19,18 M | -94,87 M | -169,77 M | -44,05 M | 227,95 M | 
            
            
                | Antes dos impostos | 907,25 M | 1,22 B | 368,00 M | 416,01 M | 426,77 M | 508,58 M | 1,06 B | 627,22 M | 1,61 B | 1,23 B | 2,59 B | 2,65 B | 2,48 B | 
            
            
                | Imposto | 246,67 M | -370,46 M | -67,88 M | -128,05 M | -128,50 M | -150,04 M | -317,17 M | -214,47 M | -541,73 M | -449,86 M | -858,34 M | -937,12 M | -776,76 M | 
            
            
                | Op. continuadas | 1,15 B | 848,02 M | 300,12 M | 287,96 M | 298,28 M | 358,53 M | 738,76 M | 412,74 M | 1,06 B | 783,60 M | 1,73 B | 1,71 B | 1,71 B | 
            
            
                | Op. descontinuadas | 0 | 0 | 0 | 0 | 0 | 0 | 64,56 M | -202,92 M | 0 | 0 | 936,75 M | 75,69 M | 0 | 
            
            
                | Lucro líquido | 1,15 B | 848,02 M | 300,12 M | 287,96 M | 298,28 M | 358,53 M | 803,32 M | 209,83 M | 1,06 B | 783,60 M | 2,67 B | 1,79 B | 1,71 B | 
            
            
                | Dos controladores | 1,14 B | 848,02 M | 300,12 M | 287,96 M | 298,28 M | 358,53 M | 393,58 M | 81,94 M | 517,02 M | 322,15 M | 1,13 B | 674,34 M | 619,36 M | 
            
            
                | Dos não controladores | 10,41 M | 0 | 0 | 0 | 0 | 0 | 409,73 M | 127,88 M | 546,45 M | 461,45 M | 1,54 B | 1,11 B | 1,09 B | 
            
        
    
    
 
    
        
            
                | Conta | 3T2021 | 2T2021 | 1T2021 | 4T2020 | 3T2020 | 2T2020 | 1T2020 | 4T2019 | 3T2019 | 2T2019 | 1T2019 | 4T2018 | 3T2018 | 2T2018 | 1T2018 | 4T2017 | 3T2017 | 2T2017 | 1T2017 | 4T2016 | 3T2016 | 2T2016 | 1T2016 | 4T2015 | 3T2015 | 2T2015 | 1T2015 | 4T2014 | 3T2014 | 2T2014 | 1T2014 | 4T2013 | 3T2013 | 2T2013 | 1T2013 | 4T2012 | 3T2012 | 2T2012 | 1T2012 | 4T2011 | 3T2011 | 2T2011 | 1T2011 | 4T2010 | 3T2010 | 2T2010 | 1T2010 | 
        
        
            
            
                | Receita líquida | 661,71 M | 561,42 M | 556,74 M | 532,22 M | 509,37 M | 475,21 M | 494,40 M | 515,85 M | 510,92 M | 485,06 M | 486,81 M | 466,68 M | 564,84 M | 461,90 M | 430,11 M | 466,14 M | 459,42 M | 399,39 M | 0 | 363,71 M | 402,42 M | 412,06 M | 0 | 636,89 M | 631,97 M | 666,96 M | 690,00 M | -5,17 B | 3,08 B | 2,67 B | 2,63 B | 2,38 B | 2,34 B | 2,21 B | 2,50 B | 2,60 B | 2,48 B | 2,50 B | 2,52 B | 2,49 B | 2,57 B | 2,41 B | 2,45 B | 2,69 B | 2,48 B | 2,41 B | 2,33 B | 
            
            
                | Custos | -638,28 M | -378,44 M | -270,90 M | 595,43 M | -244,01 M | -236,95 M | -228,55 M | -181,77 M | -326,76 M | -339,04 M | -297,50 M | -274,10 M | -425,86 M | -256,59 M | -235,87 M | -333,08 M | -354,53 M | -227,62 M | 0 | -237,37 M | -224,42 M | -208,34 M | 0 | -282,83 M | -339,35 M | -441,35 M | -342,67 M | 5,55 B | -2,90 B | -2,75 B | -2,35 B | -2,21 B | -1,96 B | -1,32 B | -2,18 B | -2,51 B | -2,11 B | -2,05 B | -1,96 B | -1,83 B | -1,70 B | -1,75 B | -1,73 B | -2,03 B | -1,68 B | -1,69 B | -1,61 B | 
            
            
                | Lucro bruto | 23,42 M | 182,98 M | 285,83 M | 1,13 B | 265,37 M | 238,26 M | 265,85 M | 334,08 M | 184,16 M | 146,02 M | 189,31 M | 192,58 M | 138,98 M | 205,31 M | 194,24 M | 133,06 M | 104,89 M | 171,77 M | 0 | 126,34 M | 178,00 M | 203,73 M | 0 | 354,06 M | 292,62 M | 225,61 M | 347,33 M | 375,28 M | 173,09 M | -85,26 M | 283,33 M | 167,92 M | 385,83 M | 888,85 M | 323,26 M | 89,59 M | 371,40 M | 458,89 M | 552,68 M | 658,76 M | 868,88 M | 660,85 M | 718,08 M | 660,93 M | 801,82 M | 714,82 M | 720,79 M | 
            
            
                | Despesas operacionais | -55,95 M | -45,34 M | -47,02 M | -43,73 M | -33,42 M | -40,92 M | -30,90 M | -128,28 M | 0 | 0 | 0 | 3,04 M | -984,00 Mil | -784,00 Mil | -1,28 M | -996,00 Mil | 0 | 0 | 0 | 0 | 0 | 0 | 0 | -14,03 M | -14,03 M | -14,03 M | -14,03 M | 42,69 M | -34,33 M | -34,33 M | -34,33 M | -35,37 M | -35,37 M | -35,37 M | -35,37 M | -36,06 M | -36,06 M | -36,06 M | -36,06 M | -37,04 M | -36,89 M | -36,89 M | -36,89 M | -37,75 M | -37,75 M | -37,75 M | -37,75 M | 
            
            
                | EBIT | -32,53 M | 137,64 M | 238,81 M | 1,08 B | 231,95 M | 197,34 M | 234,95 M | 205,80 M | 184,16 M | 146,02 M | 189,31 M | 195,62 M | 138,00 M | 204,52 M | 192,96 M | 132,07 M | 104,89 M | 171,77 M | 0 | 126,34 M | 178,00 M | 203,73 M | 0 | 340,04 M | 278,59 M | 211,58 M | 333,31 M | 417,97 M | 138,76 M | -119,58 M | 249,00 M | 132,55 M | 350,46 M | 853,48 M | 287,88 M | 53,53 M | 335,34 M | 422,83 M | 516,62 M | 621,72 M | 832,00 M | 623,96 M | 681,19 M | 623,19 M | 764,08 M | 677,08 M | 683,04 M | 
            
            
                | Resultado financeiro | -109,87 M | -116,81 M | -103,93 M | -189,97 M | -184,71 M | -36,46 M | -118,53 M | -101,01 M | -65,74 M | -100,20 M | -90,34 M | -62,29 M | -87,94 M | -69,18 M | -95,69 M | -90,65 M | -50,34 M | -31,11 M | 0 | -34,90 M | -29,70 M | -47,79 M | 0 | -14,70 M | -32,79 M | -25,72 M | -34,38 M | 109,95 M | -100,82 M | -55,48 M | -12,59 M | 33,70 M | 198,00 Mil | -39,88 M | -13,20 M | -8,40 M | -2,57 M | -58,76 M | -25,14 M | -43,93 M | -40,07 M | -56,88 M | -28,89 M | -18,58 M | -26,83 M | 48,42 M | -46,11 M | 
            
            
                | Antes dos impostos | -142,40 M | 20,83 M | 134,88 M | 893,95 M | 47,23 M | 160,88 M | 116,42 M | 104,79 M | 118,42 M | 45,82 M | 98,96 M | 133,34 M | 50,06 M | 135,34 M | 97,27 M | 41,42 M | 54,55 M | 140,66 M | 0 | 91,44 M | 148,31 M | 155,94 M | 0 | 325,34 M | 245,80 M | 185,86 M | 298,93 M | 527,92 M | 37,94 M | -175,06 M | 236,42 M | 166,25 M | 350,66 M | 813,60 M | 274,68 M | 45,14 M | 332,77 M | 364,07 M | 491,48 M | 577,79 M | 791,93 M | 567,08 M | 652,30 M | 604,60 M | 737,25 M | 725,50 M | 636,93 M | 
            
            
                | Imposto | 573,22 M | 6,70 M | -41,90 M | -291,35 M | 3,91 M | -41,92 M | -41,10 M | 764,00 Mil | -21,31 M | -10,38 M | -36,95 M | -28,46 M | -14,70 M | -42,38 M | -42,52 M | 1,94 M | -16,60 M | -49,68 M | 0 | -8,32 M | -50,46 M | -52,83 M | 0 | -59,75 M | -86,49 M | -65,81 M | -105,13 M | -151,39 M | -23,78 M | 52,47 M | -91,76 M | -51,83 M | -132,11 M | -249,09 M | -108,70 M | 4,20 M | -127,85 M | -149,93 M | -176,28 M | -102,69 M | -297,83 M | -224,25 M | -233,57 M | -201,67 M | -279,16 M | -240,51 M | -234,73 M | 
            
            
                | Op. continuadas | 430,82 M | 27,53 M | 92,98 M | 602,60 M | 51,14 M | 118,96 M | 75,32 M | 105,56 M | 97,11 M | 35,44 M | 62,01 M | 104,88 M | 35,37 M | 92,96 M | 54,76 M | 43,35 M | 37,94 M | 90,98 M | 0 | 83,12 M | 97,85 M | 103,11 M | 0 | 265,60 M | 159,31 M | 120,06 M | 193,79 M | 376,52 M | 14,16 M | -122,59 M | 144,66 M | 114,42 M | 218,54 M | 564,52 M | 165,98 M | 49,34 M | 204,92 M | 214,13 M | 315,20 M | 475,10 M | 494,10 M | 342,83 M | 418,73 M | 402,93 M | 458,08 M | 484,99 M | 402,20 M | 
            
            
                | Op. descontinuadas | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 5,22 M | -39,49 M | 57,53 M | 41,30 M | -202,92 M | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 874,53 M | 20,16 M | 23,77 M | 18,30 M | 19,34 M | 19,61 M | 0 | 0 | 
            
            
                | Lucro líquido | 430,82 M | 27,53 M | 92,98 M | 602,60 M | 51,14 M | 118,96 M | 75,32 M | 105,56 M | 97,11 M | 35,44 M | 62,01 M | 104,88 M | 35,37 M | 92,96 M | 54,76 M | 43,35 M | 37,94 M | 90,98 M | 0 | 83,12 M | 97,85 M | 103,11 M | 0 | 270,81 M | 119,82 M | 177,59 M | 235,09 M | 173,61 M | 14,16 M | -122,59 M | 144,66 M | 114,42 M | 218,54 M | 564,52 M | 165,98 M | 49,34 M | 204,92 M | 214,13 M | 315,20 M | 1,35 B | 514,25 M | 366,60 M | 437,03 M | 422,27 M | 477,69 M | 484,99 M | 402,20 M | 
            
            
                | Dos controladores | 423,78 M | 24,16 M | 92,98 M | 602,60 M | 51,14 M | 118,96 M | 75,32 M | 105,56 M | 97,11 M | 35,44 M | 62,01 M | 104,88 M | 35,37 M | 92,96 M | 54,76 M | 43,35 M | 37,94 M | 90,98 M | 0 | 83,12 M | 97,85 M | 103,11 M | 0 | 153,49 M | 43,94 M | 86,39 M | 109,76 M | 30,46 M | -31,62 M | -10,71 M | 93,81 M | 53,05 M | 94,59 M | 290,83 M | 78,54 M | 19,45 M | 89,01 M | 78,25 M | 135,43 M | 663,83 M | 179,22 M | 124,37 M | 161,73 M | 140,69 M | 169,92 M | 211,02 M | 152,71 M | 
            
            
                | Dos não controladores | 7,04 M | 3,37 M | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 117,33 M | 75,88 M | 91,20 M | 125,33 M | 143,14 M | 45,78 M | -111,89 M | 50,84 M | 61,37 M | 123,95 M | 273,68 M | 87,44 M | 29,89 M | 115,91 M | 135,88 M | 179,77 M | 685,80 M | 335,03 M | 242,23 M | 275,30 M | 281,58 M | 307,76 M | 273,97 M | 249,50 M | 
            
        
    
    
 
Fluxos de caixa
    
        
            
                | Conta | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 
        
        
            
            
                | Caixa líq. operac. | 992,74 M | 864,67 M | 691,66 M | 821,18 M | 630,44 M | 668,73 M | 647,19 M | 1,76 B | 1,47 B | 1,95 B | 2,94 B | 1,93 B | 
            
            
                | Dep. e amortização | 325,59 M | 313,18 M | 280,08 M | 207,86 M | 158,30 M | 169,56 M | 167,51 M | 624,12 M | 638,39 M | 721,87 M | 722,98 M | 719,76 M | 
            
            
                | Caixa líq. financ. | -753,23 M | -701,12 M | -880,70 M | -1,35 B | 183,80 M | -772,02 M | -701,09 M | -803,72 M | 83,90 M | 753,85 M | -839,31 M | 135,64 M | 
            
            
                | Caixa líq. invest. | 233,53 M | -284,53 M | 207,26 M | 586,39 M | -742,71 M | -113,78 M | -455,00 Mil | -891,01 M | -1,55 B | -2,80 B | -2,10 B | -1,93 B | 
            
        
    
    
 
Dividendos
Não temos registro de dividendos de TIET3.
Desdobramentos e bonificações
Não temos registro de desdobramentos ou bonificações de TIET3.